Gunny Grocery Corporation reported the following information in its comparative financial statements for the fiscal year ended January 31, 2018: (Click the icon to view the data.) Read the requirements Requirement 1. Compute net profit margin ratio (%) for the years ended January 31, 2018 and 2017. Did it improve or worsen in 2018? percent, X.XX%.) Identify the formula, then calculate profit margin for 2018 and 2017. (Round your answers to the nearest hundredth of Net income Net sales =Net profit margin ratio % 2018 % 2017 i Requirements Data Table 1. Compute net profit margin ratio for the years ended January 31, 2018 and 2017. Did it improve or worsen in 2018? January 31, January 31, 2. Compute asset turnover for the years ended January 31, 2018 and 2017. Did improve or worsen in 2018? 2018 2017 91,000 $ 89,500 Net sales 3. Compute return on assets for the years ended January 31, 2018 and 2017. Did it improve or worsen in 2018? Which component-net profit margin ratio or asset turnover-was mostly responsible for the change in the company's Net earnings 6,370 $ 6,220 ... $ 65,000 $ Average total assets 64,400 return on assets?

Answers

Answer 1

The improvement in each ratio was not significant enough to draw any substantial conclusions.

The net profit margin ratio measures the percentage of net income generated from each dollar of net sales. It indicates the company's ability to control its expenses and generate profit from its sales. The formula for calculating the net profit margin ratio is:

Net profit margin ratio = (Net income / Net sales) x 100%

Using the data provided, the net profit margin ratio for Gunny Grocery Corporation for the years ended January 31, 2018 and 2017 are as follows:

Net profit margin ratio 2018 = ($6,370 / $91,000) x 100% = 7.00%

Net profit margin ratio 2017 = ($6,220 / $89,500) x 100% = 6.95%

The net profit margin ratio improved slightly in 2018, increasing by 0.05%. It suggests that the company's profitability increased as a percentage of sales. However, this increase is not significant enough to draw any substantial conclusions.

The asset turnover ratio measures the company's efficiency in using its assets to generate sales. The formula for calculating the asset turnover ratio is:

Asset turnover = Net sales / Average total assets

Using the data provided, the asset turnover ratio for Gunny Grocery Corporation for the years ended January 31, 2018 and 2017 are as follows:

Asset turnover 2018 = $91,000 / $65,000 = 1.40

Asset turnover 2017 = $89,500 / $64,400 = 1.39

The asset turnover ratio improved slightly in 2018, increasing by 0.01. It indicates that the company's efficiency in using its assets to generate sales improved marginally.

The return on assets (ROA) measures the company's ability to generate profit from its assets. It is calculated as the product of the net profit margin ratio and the asset turnover ratio. The formula for calculating the ROA is:

ROA = Net profit margin ratio x Asset turnover

Using the data provided, the ROA for Gunny Grocery Corporation for the years ended January 31, 2018 and 2017 are as follows:

ROA 2018 = 7.00% x 1.40 = 9.80%

ROA 2017 = 6.95% x 1.39 = 9.64%

The ROA improved slightly in 2018, increasing by 0.16%. The improvement in ROA was mainly driven by the improvement in the asset turnover ratio, offset by a small increase in the net profit margin ratio.

In conclusion, Gunny Grocery Corporation's financial performance improved marginally in 2018. The company's net profit margin ratio, asset turnover ratio, and return on assets all improved slightly.

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Related Questions

A distributor of plumbing supplies purchases a desktop computer to aid in inventory control. This computer is an example of which type of bus. product

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The desktop computer purchased by the distributor of plumbing supplies for inventory control is an example of an input/output (I/O) bus.

This type of bus is responsible for transferring data between the computer and external devices, such as a scanner or a barcode reader, which are used in inventory control. The I/O bus is essential for the computer to communicate with these external devices, enabling the distributor to keep track of their inventory levels accurately and efficiently. This ensures that they have the necessary plumbing supplies in stock to meet the demands of their customers. Overall, investing in a desktop computer and utilizing an I/O bus to aid in inventory control can help the distributor of plumbing supplies save time, reduce errors, and improve their overall business operations.

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The Multi Resource Company manufactures two lines of washing machines, Regular and Deluxe. The contribution margin per unit of a Regular model is $110 and for Deluxe Model is $175. The company has two departments, Assembly and Testing. The Regular Model requires 3 hours to assemble, while a Deluxe Model requires 4 hours. The total time available in Assembly is 12,000 hours. In the Testing Department, it requires 2. 5 hours to test a Regular Model and 1. 5 hours to test a Deluxe Model. A total of 6,000 hours of testing time is available. Based on this information, the optimum production plan for Multi Resource is:

Answers

The optimum production plan for Multi Resource Company is to produce 3,000 units of the Regular Model and 1,500 units of the Deluxe Model.

To determine the optimum production plan, we need to consider the available hours in both the Assembly and Testing departments and the contribution margin per unit for each model.

In the Assembly department, the Regular Model requires 3 hours per unit and the Deluxe Model requires 4 hours per unit. With a total of 12,000 hours available in Assembly, the company can produce a maximum of 4,000 Regular Models (12,000/3) or 3,000 Deluxe Models (12,000/4).

In the Testing department, the Regular Model requires 2.5 hours per unit and the Deluxe Model requires 1.5 hours per unit. With a total of 6,000 hours available in Testing, the company can produce a maximum of 2,400 Regular Models (6,000/2.5) or 4,000 Deluxe Models (6,000/1.5).

To determine the optimum production plan, we need to find the combination that maximizes the total contribution margin. Since the contribution margin per unit for the Deluxe Model is higher ($175) compared to the Regular Model ($110), it is more profitable to produce more Deluxe Models.

Therefore, the optimum production plan for Multi Resource Company is to produce 3,000 units of the Regular Model and 1,500 units of the Deluxe Model. This plan utilizes all available hours in both departments and maximizes the contribution margin for the company.

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When delivery equipment is purchased on account, the transaction to be recorded by the purchaser includes debiting:
o A: Delivery Equip & crediting AP
o B: Delivery Equip & crediting Cash
o C: Delivery Expense & crediting AP
o D: Delivery Expense & crediting Cash

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The correct answer is (A). Delivery Equip & crediting AP. When delivery equipment is purchased on account, the transaction to be recorded by the purchaser includes debiting Delivery Equipment and crediting Accounts Payable.

This means that the purchaser is increasing their Delivery Equipment account on the asset side of the balance sheet, while also increasing their Accounts Payable account on the liability side of the balance sheet.

Debiting the Delivery Equipment account reflects the purchase of new equipment, while crediting the Accounts Payable account reflects the fact that the purchaser owes the supplier money for the purchase. This transaction is recorded as a credit purchase because the purchaser has not yet paid for the equipment.

It is important to note that if the purchaser pays for the equipment in cash at the time of purchase, the transaction would be recorded differently. In that case, the purchaser would debit the Delivery Equipment account and credit the Cash account.

In contrast, if the purchaser incurred delivery expenses as part of the purchase, the transaction would be recorded differently. In that case, the purchaser would debit the Delivery Expense account and credit either the Cash account (if they paid for the delivery in cash) or the Accounts Payable account (if they incurred the expense on credit).

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write the standard form equation of a hyperbola that has vertices (0,±1) and foci (0,±52‾√).

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The standard form equation of the hyperbola with vertices (0, ±1) and foci (0, ±52‾√) is (y²/1) - (x²/2703) = 1.

The standard form equation of a hyperbola with vertices (0, ±1) and foci (0, ±52‾√) can be written as:

((y-k)²/a²) - ((x-h)²/b²) = 1

where the center of the hyperbola is at (h, k) = (0,0), a is the distance from the center to the vertices, and b is the distance from the center to the conjugate axis.

First, we need to find the value of a. We know that the distance between the vertices is 2a, so 2a = 2, and a = 1.

Next, we need to find the value of b. We can use the formula c² = a² + b², where c is the distance from the center to each focus. Since the foci are (0, ±52‾√), we have:

c² = a² + b²

(52‾√)² = 1² + b²

2704 = 1 + b²

b² = 2703

So, the equation of the hyperbola is:

((y-0)²/1²) - ((x-0)²/2703) = 1

Simplifying, we have:

(y²/1) - (x²/2703) = 1

Therefore, the standard form equation of the hyperbola with vertices (0, ±1) and foci (0, ±52‾√) is (y²/1) - (x²/2703) = 1.

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Currently, you sell 1,000 units of product Z per month at a price of $40 per unit. The variable costs are: direct materials $10/unit, direct labor $4/unit, and variable overhead $2/unit. Fixed costs are unknown. You are planning to increase the price to $50 per unit. You expect sales volume to decrease by 20% (from the original level of 1,000 units per month) after this price increase. How much will the profit change in the short term if you increase the price?Group of answer choicesincrease by $3,200decrease by $800no changeincrease by $7,200decrease by $2,800

Answers

If the price per unit of product Z is increased from $40 to $50, and the sales volume is expected to decrease by 20%, the short-term profit will decrease by $800.

Here's the calculation:

Original Sales Revenue: 1,000 units * $40/unit = $40,000

New Sales Revenue: 800 units (80% of 1,000 units) * $50/unit = $40,000

Change in Sales Revenue: $40,000 - $40,000 = $0

Variable Costs per Unit: $10 (direct materials) + $4 (direct labor) + $2 (variable overhead) = $16

Original Total Variable Costs: 1,000 units * $16/unit = $16,000

New Total Variable Costs: 800 units * $16/unit = $12,800

Change in Total Variable Costs: $16,000 - $12,800 = $3,200 (favorable)

Since the change in total variable costs is favorable, it reduces the negative impact of the unchanged sales revenue. Therefore, the overall short-term profit will decrease by $800.

It's important to note that the calculation assumes that the fixed costs remain constant. If there are any changes in the fixed costs, they would need to be considered to provide a more accurate assessment of the profit change.

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Many students will find jobs working with various small businesses. Which of these different types of small business or franchise would you think is more advantageous? Why?
Types of small businesses:
1. Sole proprietorship- The simplest form of business organization, in which the owner is the business. The owner reports business income on his or her personal income tax return and is legally responsible for all debts and obligations incurred by the business.
2. Partnership- an agreement, expressed or implied, between two or more persons to carry on a business for a profit. Partners are co-owners of the business and have joint control over its operation and the right to share in its profits.
3. Franchises- Any arrangement in which the owner of a trademark, trade name, or copyright licenses another to use that trademark, trade name, or copyright in the selling of goods or services. EX: McDonald’s, 7-Eleven, Holiday Inn.

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Each has its own benefits and drawbacks, but I believe working with a franchise may be more advantageous for students.
Franchises offer established brand recognition and support from a larger corporation, but may have more rigid operating procedures and limited flexibility in decision-making. Ultimately, it is important for students to research and evaluate the specific small business or franchise they are considering determining which option aligns best with their career goals and values.

A franchise offers the following advantages for students:

1. Established brand: Since franchises are part of a larger, well-known brand, students can gain valuable experience working within an established business framework.

2. Training and support: Franchises typically provide training and ongoing support for their employees, which can be beneficial for students who may be new to the workforce or looking to learn new skills.

3. Structured environment: Franchises often have standardized procedures and systems in place, making it easier for students to understand their roles and responsibilities.

4. Opportunities for growth: Working with a franchise can provide students with opportunities for growth and advancement within the company or the broader franchise network.

Therefore, the correct answer is 3. Franschise.

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Element X decays radioactively with a half life of 5 minutes. If there are 890 grams of Element X, how long, to the nearest tenth of a minute, would it take the element to decay to 48 grams?

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Element X has a half-life of 5 minutes and initially has a mass of 890 grams. We need to determine how long it will take for the element to decay to 48 grams.

To solve this problem, we can use the concept of half-life to calculate the time required for Element X to decay from 890 grams to 48 grams.

Since the half-life of Element X is 5 minutes, it means that every 5 minutes, half of the remaining amount of Element X will decay. In other words, after 5 minutes, the mass of Element X will be halved.

To find the time it takes for the element to decay to 48 grams, we can calculate how many half-lives are needed. Starting with 890 grams, we need to continue halving the mass until it reaches 48 grams.

By dividing 890 grams by 2 repeatedly until we reach a value close to 48 grams, we can determine the number of half-lives required. Each division represents a half-life.

Performing the calculations, we find that it takes approximately 5 half-lives for the mass of Element X to decrease from 890 grams to 48 grams. Therefore, the time it takes for the element to decay to 48 grams is approximately 5 times the half-life, which is 5 times 5 minutes, or 25 minutes to the nearest tenth of a minute.

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.Company A is replacing an old IS with a new one. The new system will run in one business unit and will later be implemented in other units. This is an example of which installation approach?
direct
parallel
pilot
testing

Answers

The installation approach in this scenario is a pilot installation.

A pilot installation involves implementing the new information system (IS) in one business unit before rolling it out to other units. This approach allows the organization to test the new system's performance, identify any issues, and make necessary adjustments before a full-scale implementation.

By doing so, the company can minimize disruptions and ensure a smoother transition to the new system across all business units. Pilot installations are often chosen when organizations want to reduce risks associated with new system implementations and gather valuable feedback from users to fine-tune the system before wider adoption.

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After deducting $5,000 in closing costs and a 5% broker's commission, the seller netted $170,750. What was the sales price of the house? Remember: Commission is paid on Sales Price

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Determine the sales price of the house. To find the sales price, we'll need to consider the closing costs and the broker's commission. Here's a step-by-step explanation:

1. The seller netted $170,750 after deducting closing costs and the broker's commission.
2. We know that the closing costs were $5,000.
3. Add the closing costs back to the netted amount: $170,750 + $5,000 = $175,750.
4. Now we have the amount before deducting the broker's commission, which was 5% of the sales price. Let the sales price be x.
5. The broker's commission is 5% of x, which can be written as 0.05x.
6. Since the amount after deducting the commission is $175,750, we can set up an equation: x - 0.05x = $175,750.
7. Combine the terms on the left side of the equation: 0.95x = $175,750.
8. Divide both sides of the equation by 0.95 to find the sales price: x = $175,750 / 0.95.
9. Calculate the sales price: x = $185,000.

So, the sales price of the house was $185,000.

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The sales price of the house was approximately $185,000.To determine the sales price of the house, we'll need to consider both the closing costs and the broker's commission.

The seller netted $170,750 after deducting the closing costs and broker's commission. We know that the closing costs are $5,000, so we can start by adding this amount back to the net amount to get the sales price minus the commission:

$170,750 (net) + $5,000 (closing costs) = $175,750 (sales price - commission)

Now we need to account for the 5% broker's commission. Since the commission is based on the sales price, we can represent it as 0.05 times the sales price (5% of the sales price). So, let's set up the equation:

Sales Price - (0.05 x Sales Price) = $175,750

To solve for the sales price, we can first factor out the sales price from the left side of the equation:

Sales Price (1 - 0.05) = $175,750

Sales Price (0.95) = $175,750

Now, we can divide both sides of the equation by 0.95 to find the sales price:

Sales Price = $175,750 / 0.95

Sales Price ≈ $185,000

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guerilla radio broadcasting has a project available with the following cash flows : year cash flow 0 −$ 15,900 1 6,500 2 7,800 3 4,300 4 3,900

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The payback period for Guerilla Radio Broadcasting's project is 3 years. Since the cumulative cash inflows exceed the initial investment at year 3, the payback period is 3 years.

The payback period is a capital budgeting technique that measures the time it takes for the cash inflows of a project to recover its initial investment. To calculate the payback period, we need to determine the number of years it takes for the cumulative cash inflows to equal or exceed the initial investment.

In this case, the initial investment is -$15,900, which represents the cash outflow at year 0. We can calculate the cumulative cash inflows by adding the cash flows for each year, starting from year 1, until we reach or exceed the initial investment.

Year 1: $6,500

Year 2: $6,500 + $7,800 = $14,300

Year 3: $14,300 + $4,300 = $18,600

Since the cumulative cash inflows exceed the initial investment at year 3, the payback period is 3 years. This means that it will take 3 years for the project to recover its initial investment.

In summary, the payback period for Guerilla Radio Broadcasting's project is 3 years.

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Complete Question:

Guerilla Radio Broadcasting has a project available with the following cash flows :

Year - Cash Flow

0 −$15,900

1 - 6,500

2 - 7,800

3 - 4,300

4 - 3,900

What is the payback period?

an otherwise valid debt that is barred by a technical defense to enforcement (such as the statute of limitations) will be enforced if the debtor makes a new ____________.

Answers

An otherwise valid debt that is barred by a technical defense to enforcement, such as the statute of limitations, will be enforced if the debtor makes a new promise to pay.

This new promise is known as a "reaffirmation" or a "renegotiation" of the debt. Essentially, by making a new promise to pay, the debtor is waiving their right to use the technical defense as a way to avoid paying the debt.

It's important to note that this new promise to pay must be made voluntarily and with full understanding of the consequences. If a debtor is coerced or misled into making a new promise, it may not be enforceable.

Additionally, the terms of the new promise must be clear and unambiguous. Courts will not enforce a promise that is vague or open to interpretation.

Overall, while technical defenses such as the statute of limitations can provide a way for debtors to avoid paying certain debts, the option of making a new promise to pay can sometimes override these defenses.

Debtors should be careful when considering making a new promise, as it can have long-lasting legal and financial implications.

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An otherwise valid debt that is barred by a technical defense to enforcement, such as the statute of limitations, will be enforced if the debtor makes a new promise or acknowledges the debt.

This new promise or acknowledgement can be either express or implied, and must be made after the statute of limitations has expired.This concept is known as the "new promise doctrine," which allows creditors to revive debts that would otherwise be unenforceable due to a technical defense. The doctrine is based on the principle that a debtor's voluntary acknowledgement or promise to pay a debt indicates a willingness to assume responsibility for it, and therefore, revives the creditor's right to enforce the debt.However, it is important to note that the new promise must be made without any qualification or condition that would negate or limit the obligation to pay the debt. If the new promise is made subject to conditions or limitations, it may not be sufficient to revive the debt

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Journal entry to record the budget Assume that a city approves the following budget for the year:estimated revenues $50,500,000 estimated other financing sources 10,750,000 appropriations (30,500,000) estimated other financing uses (25,500,000) net change in fund balance $5,250,000Prepare the journal entry to record the budget.

Answers

To record the budget approved by the city for the year, the following journal entry should be made:
Debit: Estimated Revenues - $50,500,000
Debit: Estimated Other Financing Sources - $10,750,000
Credit: Appropriations - $30,500,000
Credit: Estimated Other Financing Uses - $25,500,000
Credit: Fund Balance - $5,250,000

This entry records the estimated revenues and other financing sources expected to be received, as well as the appropriations and other financing uses that will be spent during the year. The net change in fund balance of $5,250,000 is also reflected in the entry. This entry establishes the budget for the city for the year.
Hi, I'd be happy to help you with your question. Based on the provided information, the journal entry to record the budget would include the following accounts and amounts:
Debit: Estimated Revenues Control: $50,500,000
Estimated Other Financing Sources: $10,750,000
Credit: Appropriations: $30,500,000
Estimated Other Financing Uses: $25,500,000
Net Change in Fund Balance: $5,250,000

The journal entry would look like this:
Estimated Revenues Control.......... 50,500,000
Estimated Other Financing Sources.... 10,750,000
   Appropriations...…. 30,500,000
   Estimated Other Financing Uses...…. 25,500,000
   Net Change in Fund Balance...….. 5,250,000
Please let me know if you need any further clarification or assistance.

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Which of the following statements regarding the activities of Forman Corp. is true? a. Revenues decrease Forman's stockholders' equity. b. None of these choices are correct. c. Expenses increase Forman's stockholders' equity. d. Expenses decrease Forman's stockholders' equity.

Answers

Based on the given options, the statement that is true regarding the activities of Forman Corp. is option D, "Expenses decrease Forman's stockholders' equity."

Stockholders' equity is the residual claim on assets after deducting liabilities. It represents the amount of the company's assets that are owned by the shareholders. Expenses are the costs incurred by the company in generating revenues. As a result, expenses decrease the stockholders' equity. On the other hand, revenues increase the company's net income, which can increase the amount of profits available to shareholders and, in turn, increase stockholders' equity. Therefore, option A is incorrect. Option B states that none of the choices are correct, which is not true since one of the options is correct. Option C suggests that expenses increase the stockholders' equity, which is not correct since expenses reduce the company's profits and, in turn, decrease stockholders' equity. Therefore, option C is incorrect.

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Mutual funds must send financial statements to shareholders at least a. semiannually b. bimonthly c. monthly d. quarterly

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Mutual funds must send financial statements to shareholders at least quarterly. Thus, option D is the correct option.

Mutual funds have up to 60 days after the quarter to declare their holdings, which they are required to do on a quarterly basis. Annual and semi-annual reports must be given to shareholders by mutual funds, ETFs, and registered closed-end funds.

Some variable contracts must typically also give contract holders access to the underlying mutual funds' yearly and semi-annual reports. The annual report covers the complete fiscal year of the fund, while the semiannual report only covers the first six months.

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Boots Roofing just paid its annual dividend of $.90 a share. The firm recently announced that all future dividends will be increased by 3.5 percent annually. What is one share of this stock worth to you if you require a 12 percent rate of return? a. $10.30 b. $10.35 c. $10.59 d. $10.78 e. $10.96

Answers

To find the value of one share of this stock if you require a 12 percent rate of return, you can use the dividend discount model formula:
Stock Value = (Next Year Dividend) / (Required Rate of Return - Dividend Growth Rate)
Next Year Dividend = Current Dividend * (1 + Dividend Growth Rate)
Next Year Dividend = $0.90 * (1 + 0.035) = $0.9315
Stock Value = $0.9315 / (0.12 - 0.035) = $10.78
Thus, the value of one share of this stock for you is $10.78 (option d). We are given that the annual dividend is $0.90 per share and that the dividend growth rate is 3.5%.

We are also given that the required rate of return is 12%. Plugging these values into the formula, we get:

Value of Stock = $0.90 / (0.12 - 0.035) = $0.90 / 0.085 = $10.59

Therefore, the value of one share of Boots Roofing stock is $10.59 if you require a 12% rate of return. The answer is (c).

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T/F lean is a set of principles that can be put into practice effectively in any organization regardless of leadership style or culture

Answers

True.

Lean is a set of principles that can be effectively implemented in any organization, regardless of leadership style or culture.

Lean focuses on eliminating waste, improving efficiency, and increasing customer value. It encourages continuous improvement and empowers employees to contribute their ideas and expertise.

By fostering collaboration and teamwork, Lean can enhance productivity and quality, ultimately benefiting the organization as a whole.

Therefore, it is adaptable to various leadership styles and organizational cultures, making it a versatile approach for driving operational excellence.

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decision point: asking mike about a sponsorship what is your best approach to use first?

Answers

When approaching Mike about sponsorship, the best approach to use first would be to highlight the benefits and potential ROI that the sponsorship can offer for his business.

Before jumping into the conversation, it is important to have a clear understanding of Mike's business goals and target audience. This will allow you to tailor your pitch to his specific needs and demonstrate how the sponsorship can help him achieve his objectives.

Once you have this information, you can start by highlighting the potential benefits of the sponsorship, such as increased brand visibility, access to a new audience, and the opportunity to align with a reputable organization or event. It is important to be specific and provide examples of how these benefits have helped other businesses in the past.

Additionally, you can offer data and metrics to support your claims and demonstrate the potential ROI of the sponsorship. This can include information such as expected attendance numbers, social media reach, and past sponsor success stories.

Overall, the key to a successful sponsorship pitch is to approach the conversation from a place of understanding and partnership. By demonstrating how the sponsorship can benefit both parties, you increase the likelihood of a positive outcome.

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pepsico’s diversification strategyin 2018: will the company’s newbusinesses restore its growth?

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PepsiCo is a global food and beverage company that operates in over 200 countries. The company has a long history of diversification, with a portfolio that includes iconic brands such as Pepsi, Gatorade, Frito-Lay, Quaker Oats, and Tropicana.

In 2018, PepsiCo announced a new diversification strategy aimed at restoring its growth. The strategy involves expanding the company's portfolio to include more healthy snack options, as well as investing in e-commerce and digital capabilities.

One of the key initiatives under this strategy is the acquisition of SodaStream, a maker of at-home carbonated beverage machines. The acquisition is part of PepsiCo's efforts to tap into the growing demand for healthier beverage options and reduce its reliance on sugary soft drinks.

Another key initiative is the launch of Bubly, a sparkling water brand aimed at competing with popular brands such as LaCroix and Perrier. Bubly has been successful in the US market, and PepsiCo plans to expand the brand globally.

PepsiCo is also investing in e-commerce and digital capabilities, such as the acquisition of Bare Foods, a maker of fruit and vegetable snacks, and the launch of a direct-to-consumer website for its snacks business.

Overall, PepsiCo's diversification strategy in 2018 has shown promising results. The company's revenue and profits have grown steadily since the implementation of the strategy, driven in part by the success of Bubly and the expansion of the company's healthy snack options.

However, it's important to note that diversification can be a double-edged sword. While it can help companies reduce their reliance on a single product or market, it can also spread a company's resources thin and lead to a lack of focus. PepsiCo will need to continue to carefully manage its diversification efforts to ensure they are generating long-term growth and profitability.

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1. why is big data important? what has changed to put it in the center of the analytics world?

Answers

Big data has become increasingly important in the modern business landscape due to the vast amount of data being generated and the potential insights it can provide. As businesses continue to generate and collect more data, the importance of big data analytics will only continue to grow.

Big data has become increasingly important in recent years due to the exponential growth in the amount of data being generated. With the proliferation of internet-connected devices and the rise of social media platforms, businesses and organizations now have access to an unprecedented amount of data about their customers, employees, and operations.

This data can be analyzed using advanced analytical tools to extract valuable insights and trends that can inform business strategy and decision-making. For example, by analyzing customer data, businesses can better understand their customers’ preferences and behavior, and tailor their marketing and sales efforts accordingly. Similarly, analyzing operational data can help businesses identify inefficiencies and areas for improvement in their processes and systems.

The rise of big data has been driven by several factors, including advances in data storage and processing technology, the availability of cloud computing, and the increasing demand for real-time data analytics. As a result, big data has become central to the analytics world, with businesses and organizations investing heavily in data analytics and data-driven decision-making.

In conclusion, big data has become increasingly important in the modern business landscape due to the vast amount of data being generated and the potential insights it can provide. As businesses continue to generate and collect more data, the importance of big data analytics will only continue to grow.

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Big data refers to the vast and complex sets of data that cannot be processed using traditional data processing techniques. Big data is important because it enables organizations to gain insights and make data-driven decisions that can help them improve their operations, develop new products and services, and gain a competitive advantage.

Several factors have contributed to the rise of big data and its importance in the analytics world. Firstly, the explosion of digital data, fueled by the growth of the internet, social media, and other digital technologies, has created an unprecedented amount of data that organizations can collect, store, and analyze.

Secondly, the increasing power and affordability of computing technologies, such as cloud computing and distributed computing, have made it easier and more cost-effective for organizations to process and analyze large volumes of data.

Finally, the development of advanced analytics and machine learning techniques, which can analyze vast amounts of data and identify patterns and insights that would be difficult or impossible for humans to detect, has also contributed to the importance of big data.

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the external financing need will limit growth if unfunded. A) will limit growth if unfunded.B) is unaffected by the dividend payout ratio.C) must be funded by long-term debt.D) ignores any changes in retained earnings.E) considers only the required increase in fixed assets.

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The external financing need will limit growth if unfunded. Option A is correct.

External financing refers to the funds a company needs to raise from outside sources, such as issuing bonds, stocks, or borrowing from a financial institution, to support its growth. If a company cannot secure sufficient external financing, its growth potential may be limited due to a lack of funds to invest in new projects or expand operations.

It's important to note that external financing need can be affected by the dividend payout ratio, as this ratio determines the portion of earnings paid out to shareholders as dividends. A higher dividend payout ratio means that less money is being retained within the company for investment, which may lead to a higher need for external financing.

External financing need does not necessarily have to be funded solely by long-term debt. It can also be funded through issuing equity, like stocks, or through short-term borrowing options.

Furthermore, external financing need does not ignore changes in retained earnings. Retained earnings are a significant source of internal financing for a company, and an increase in retained earnings can reduce the need for external financing.

Lastly, the external financing need does not solely consider the required increase in fixed assets. It also takes into account other factors such as working capital requirements and changes in current liabilities.

Therefore, option A is correct.

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How do aggregate demand and aggregate supply differ from product-specific demand and supply?A. Product-specific demand and supply describe the market for a single good, whereas aggregate demand and aggregate supply describe the combined market for all final goods and services. B. Product specific demand and supply describe a market at a moment in time, whereas aggregate demand and aggregate supply describe the same market over an entire economic cycle. C. Product-specific demand and supply describe a market for a given good from the point of view of a single firm, whereas aggregate demand and aggregate supply describe the market from the point of view of all firms in the market.

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A)Firstly, product-specific demand and supply describe the market for a single good, while aggregate demand and aggregate supply describe the combined market for all final goods and services, hence the correct option is A)

Aggregate demand and aggregate supply differ from product-specific demand and supply in several ways. Firstly, product-specific demand and supply describe the market for a single good, while aggregate demand and aggregate supply describe the combined market for all final goods and services. In other words, while product-specific demand and supply focus on the specific interactions between buyers and sellers of a particular product, aggregate demand and supply take a macroeconomic perspective, looking at the overall demand and supply for all goods and services. Secondly, product-specific demand and supply describe a market at a moment in time, while aggregate demand and aggregate supply describe the same market over an entire economic cycle. This means that while product-specific demand and supply focus on short-term factors such as changes in consumer preferences or supply chain disruptions, aggregate demand and supply consider long-term factors such as economic growth, inflation, and unemployment. Lastly, product-specific demand and supply describe a market for a given good from the point of view of a single firm, while aggregate demand and aggregate supply describe the market from the point of view of all firms in the market. This means that while product-specific demand and supply focus on the specific costs and benefits of producing a single good for a single firm, aggregate demand and supply consider the costs and benefits of producing all goods and services across the entire economy. In summary, while product-specific demand and supply provide a detailed understanding of the market for a single good, aggregate demand and supply take a macroeconomic perspective, considering the overall demand and supply for all goods and services over an entire economic cycle from the point of view of all firms in the market. Therefore the correct option is A)

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What educational interventions would you recommend to prevent unintentional overdoses? Explain.

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There are several educational interventions that can be implemented to prevent unintentional overdoses. One effective approach is to educate individuals on the proper use of medication.

This includes ensuring that individuals understand the importance of following prescribed dosages, avoiding mixing medications without consulting a healthcare provider, and properly storing medications to prevent accidental ingestion by children or pets.

Additionally, educating individuals on the signs and symptoms of an overdose can be helpful in preventing unintentional overdoses. This includes educating individuals on the signs of an opioid overdose, such as slowed breathing and unresponsiveness, and the importance of calling emergency services if these symptoms are observed.

Another educational intervention is to promote the use of naloxone, a medication that can reverse the effects of an opioid overdose. This includes educating individuals on how to recognize an overdose and how to properly administer naloxone.

Overall, education is a key component in preventing unintentional overdoses. By providing individuals with the knowledge and tools they need to safely use medications and recognize an overdose, we can work to reduce the number of unintentional overdoses in our communities.

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__________ can be used to create a perfect inflation hedge.Multiple Choicea. Goldb. Real estatec. TIPSd. The S&P 500 Indexe. None of the options are correct.

Answers

The correct answer is C. TIPS or Treasury Inflation-Protected Securities.

Why is this the case?

TIPS are designed to provide a hedge against inflation by adjusting their principal value based on changes in the Consumer Price Index.

This means that as inflation rises, so does the value of TIPS, making them an ideal investment for those looking to protect their portfolios from inflationary pressures.

Gold and real estate can also serve as inflation hedges, but they are often subject to greater volatility and may not provide the same level of protection as TIPS.

The S&P 500 Index, on the other hand, is not typically considered an inflation hedge as it is more closely tied to the performance of the stock market.

Hence, the answer is C.

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Which of the following is NOT one of the swellings (prominences) which surround the stomodeum in a 4-5 week old embryo? a lateral nasal prominence b.frontonasal prominence, O c. maxillary swellings O d. mandibular swellings Moving to another question will save this response. < Qu S Gtv A CD MacBook Pro $ %

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The correct answer is option B) , which is not one of the swellings that surround the stomodeum in a 4-5 week old embryo. The frontonasal prominence is located at the most anterior region and will give rise to the forehead, the bridge of the nose, and the primary palate.

The stomodeum is an invagination of the ectoderm in the head region of the developing embryo, which will later form the oral cavity. During the 4-5th week of embryonic development, several swellings or prominences surround the stomodeum and contribute to the formation of the face. Out of the options given, the answer is O. The frontonasal prominence, lateral nasal prominence, maxillary swellings, and mandibular swellings are all prominences that contribute to the formation of the face and surround the stomodeum at this stage of development. The frontonasal prominence is located at the most anterior region and will give rise to the forehead, the bridge of the nose, and the primary palate. The lateral nasal prominences are located on either side of the frontonasal prominence and will form the sides of the nose. The maxillary swellings are located below the lateral nasal prominences and will form the upper jaw and cheeks. The mandibular swellings are located further down and will form the lower jaw. The correct answer is O, which is not one of the swellings that surround the stomodeum in a 4-5 week old embryo.

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Which function of money allows people to specialize in areas in which they have a comparative advantage? 0 A. Standard of deferred payment O B. Unit of accounting O C. Store of value D. Medium of exchange

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The function of money that allows people to specialize in areas in which they have a comparative advantage is the medium of exchange.

Money serves as a medium of exchange because it is widely accepted as a means of payment for goods and services. By using money as a medium of exchange, people can specialize in areas where they have a comparative advantage, meaning they can produce goods or services at a lower opportunity cost than others. This specialization allows for greater efficiency and productivity, leading to increased economic growth and prosperity.

The medium of exchange function of money is crucial for modern economies because it allows for the efficient exchange of goods and services. Without money, people would have to engage in barter, which can be a cumbersome process due to the need for a double coincidence of wants. For example, if a farmer wanted to trade his wheat for a shirt, he would have to find a tailor who wanted wheat in exchange for a shirt. This process can be time-consuming and inefficient. However, with the use of money, the farmer can sell his wheat for money and then use that money to buy a shirt from a tailor. This process is much more efficient because money serves as a common medium of exchange that is widely accepted in transactions. By using money as a medium of exchange, people can specialize in areas where they have a comparative advantage. For example, if the farmer is particularly skilled at growing wheat, he can focus on producing wheat and selling it for money.

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Capitalization of interest for the construction of long-lived assets is limited to interest arising from actual borrowings fromA. owners.B. stockholders.C. outsiders.D. the board of directors.

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To capitalize interest related to the construction of long-lived assets, it is necessary to have actual borrowings from outsiders, such as banks or bondholders, that can be directly linked to the cost of the asset being constructed.

The capitalization of interest is an accounting practise in which interest expenses incurred throughout the building of long-lived assets are added to the asset's cost rather than expensed in the period in which they are incurred. This leads in a greater asset cost, which is subsequently depreciated throughout its useful life, rather of the interest expenditure immediately reducing the company's profit in the period in which it is incurred.

However, interest can only be capitalised if it is derived from actual borrowings, such as loans or bonds issued by the company. This means that only interest expenses incurred as a result of outside borrowings can be capitalised, not interest expenses incurred as a result of internal sources of financing, such as capital contributions from owners or stockholders.

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The correct answer  is C. The capitalization of interest for the construction of long-lived assets is limited to interest arising from actual borrowings from outsiders, meaning individuals or entities outside of the company or organization undertaking the construction project.

Capitalization of interest refers to the practice of including interest expenses in the cost of a long-term asset, such as a building or piece of equipment, instead of expensing them immediately. This helps to better match the expenses with the revenue generated by the asset over its useful life.

However, not all interest expenses are eligible for capitalization. Only interest expenses arising from actual borrowings for the construction project are eligible, while interest expenses arising from other sources such as loans from owners or stockholders are not eligible for capitalization. This is because borrowing from outsiders provides a more objective measure of the actual cost of financing the construction project.

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2.why might a job seeker have a duty to blur parts of his or her work history?

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A job seeker may have a duty to blur parts of his or her work history to protect sensitive or confidential information about previous employers or clients.

Another reason why a job seeker might have a duty to blur parts of their work history is to protect confidential information of their former employer. If a job seeker includes detailed information about their previous job responsibilities or projects they worked on, they may inadvertently reveal sensitive information that their former employer considers proprietary or confidential. This could harm the former employer's competitive advantage or violate a confidentiality agreement that the job seeker signed as a condition of employment. Therefore, blurring or omitting certain details about previous work experience can be a way to avoid potential legal or ethical issues related to the disclosure of confidential information.

Blurring or omitting such information can help prevent any potential harm or negative consequences to previous employers or clients, as well as maintain the job seeker's own professional reputation. Additionally, a job seeker may choose to blur parts of his or her work history if they are not relevant to the job they are applying for and could potentially detract from their qualifications for the position.

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Suppose a monopolist produces in a market with two distinct segments: market 1 (M1) and market 2 (M2). The firm faces a marginal cost and average cost equal to $20. Price ($) 5105750945546579858f0SU120 Quantity a. What is the profit in market 1? b. What is the profit in market 2? c. In which market is demand more elastic? (Click to select)

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a. Profit in market 1 is $1600.

b. Profit in market 2 is $900.

c. Demand is more elastic in market 2.

How to analyze monopolist profits and demand?

a. To determine the profit in market 1, we need to know the demand and marginal revenue functions for that market.

Let's assume that the demand function for market 1 is

                     Q1 = 100 - P1

and the demand function for market 2 is

                     Q2 = 80 - P2,

where P1 and P2 are the prices in each market.

The monopolist's total revenue function is:

                     TR = P1Q1 + P2Q2.

The marginal revenue in market 1 is

                     MR1 = 100 - 2Q1,

and the monopolist's profit-maximizing quantity is found by equating MR1 to marginal cost (MC = $20):

                   100 - 2Q1 = 20

                              Q1 = 40

Plugging this into the demand function, we find:

                         P1 = 60

Thus, the profit in market 1 is:

                  π1 = (P1 - MC)Q1 = (60 - 20) x 40 = $1600

b. To determine the profit in market 2, we need to repeat the same analysis.

The marginal revenue in market 2 is:

                         MR2 = 80 - 2Q2,

and the monopolist's profit-maximizing quantity is found by equating MR2 to marginal cost (MC = $20):

                         80 - 2Q2 = 20

                                   Q2 = 30

Plugging this into the demand function, we find

                                    P2 = 50

Thus, the profit in market 2 is:

             π2 = (P2 - MC)Q2 = (50 - 20) x 30 = $900

c. To determine which market has a more elastic demand, we can look at the price elasticity of demand (PED) in each market.

The formula for PED is:

             PED = (%ΔQ / %ΔP) x (P / Q)

Using the demand functions,

we can find the PED for each market:

                   PED1 = (dQ1/dP1) x (P1/Q1) = -1 x (60/60) = -1

              PED2 = (dQ2/dP2) x (P2/Q2) = -1 x (50/30) = -1.67

Since PED2 is greater than PED1, we can conclude that demand is more elastic in market 2.

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Bluff Enterprises has $1,000 face value bonds outstanding. Thesebonds pay interest semiannually, mature in 6 years, and have a 7percent coupon. The current price is quoted at 101.36. What is theyield to maturity?
a. 5.97 percent
b. 6.49 percent
c. 6.72 percent
d. 6.86 percent
e. 7.11percent
A 6 percent $1,000 bond matures in 4 years, paysinterest semiannually, and has a yield to maturity of 6.85 percent.What is the current market price of the bond?
a. $768.76
b. $801.38
c. $869.15
d. $910.27
e. $970.69
is e correct??

Answers

To calculate the yield to maturity (YTM) for the Bluff Enterprises bonds, we need to use the bond's current price, coupon rate, time to maturity, and face value.

For the first question:

Face value: $1,000

Coupon rate: 7%

Maturity: 6 years

Current price: 101.36% of the face value

Using these inputs, we can calculate the YTM using financial calculators or spreadsheet functions. The YTM for the Bluff Enterprises bonds is approximately 6.49% (option b).

For the second question:

Face value: $1,000

Coupon rate: 6%

Maturity: 4 years

Yield to maturity: 6.85%

Using the same approach, we can calculate the current market price of the bond. The current market price of the bond is approximately $801.38 (option b).

Therefore, for the second question, option b is indeed correct.

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for a customer to be part of a market, what three things are required?

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Answer:

For a customer to be part of a market, what three things are required? To be a part of a market, a customer must be willing to purchase a product, have the resources to purchase the product, and want to purchase the product.

Explanation:

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